Ducal Global Allocation has the objective to create capital growth on the long term, by offering investors a stable return which is higher than its benchmark, Euribor 1 year rate + 2 %.
The focus lies on a global, diversified investment portfolio which is primarily invested, directly or indirectly, in equities, corporate bonds and government bonds, without any geographical or sectorial limitation.
The flexible approach of the fund creates diversification in terms of asset classes, countries and sectors. The fund is actively managed whereby the investment decisions for the asset allocation are taken according to the market conditions.
Ducal Global Allocation aims towards investors who are searching for a stable value in their investment portfolio, and where capital preservation and liquidity are an important factor.